Deskripsi Pekerjaan
Join Bank Rakyat as the Vice President of Banking Economics & Analytics and lead the charge in transforming economic data into strategic business power. In this pivotal role, you will steer the bank’s economic research and data analytics initiatives, providing the executive team with critical insights to navigate the complex financial landscape. We are looking for a visionary leader who can bridge the gap between theoretical economic models and practical banking solutions.
Your expertise will be central to our decision-making processes, influencing everything from lending strategies to risk management and long-term corporate planning. You will oversee a team of analysts, fostering a culture of innovation and data-driven excellence. If you are passionate about macroeconomics and possess a strategic mindset, this is your opportunity to make a significant impact at one of Malaysia's leading financial institutions.
Your expertise will be central to our decision-making processes, influencing everything from lending strategies to risk management and long-term corporate planning. You will oversee a team of analysts, fostering a culture of innovation and data-driven excellence. If you are passionate about macroeconomics and possess a strategic mindset, this is your opportunity to make a significant impact at one of Malaysia's leading financial institutions.
Tanggung Jawab
- Develop and maintain sophisticated economic models to forecast market trends, credit risk, and profitability.
- Provide high-level strategic recommendations to the Board of Directors and Senior Management based on rigorous data analysis.
- Lead and mentor a high-performing team of economists, data scientists, and analysts.
- Monitor global and domestic economic indicators, regulatory changes, and industry developments.
- Collaborate with cross-functional departments to align economic strategies with operational goals.
- Design and present compelling data visualizations to communicate complex findings to non-technical stakeholders.
- Ensure compliance with banking regulations and internal risk management frameworks.
Kualifikasi
- Master’s degree in Economics, Finance, Mathematics, Statistics, or a related field; MBA is highly preferred.
- Minimum of 10-12 years of progressive experience in banking, financial analysis, or macroeconomics, including at least 5 years in a leadership or managerial capacity.
- Strong proficiency in statistical software (SAS, R, Python) and data visualization tools (Tableau, Power BI).
- Proven ability to translate complex economic data into actionable business strategies.
- Deep understanding of risk management principles, Basel frameworks, and financial regulations.
- Excellent communication, presentation, and negotiation skills.